Bank Risk Management
Margaret PolskiApril 14, 2009
Financial Markets, Financial and Monetary, Mercatus On Policy, Mercatus, Financial Markets Working Group
Mercatus On Policy
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Policymakers who seek to ensure a robust and effective regulatory regime for banks must always keep in mind the interconnected nature of the industry as well as the various distinct risks that banks themselves specialize in managing. This publication lays out the underlying complexity of the U.S. banking system, defines systemic risk and other risks, and suggests some principles that need to be considered when thinking about major reforms of the banking regulatory regime.